EAGLE COMPLIANCE, LLC

Business Consulting

 

 

Glenn Doran began his career at Goldman Sachs in 1984 where he was involved in their mortgage-backed securities trading efforts.  From Goldman, Glenn moved to Sanwa Securities USA, where as a Senior Vice President he was responsible for the marketing, risk management, and distribution of all GSE debt underwritten transactions.  Glenn’s most recent experience was with the Federal Farm Credit Banks Funding Corporation where he worked for 30 years and rose to the position of Managing Director of the Finance.  In that role his responsibilities included management of all short and long-term debt issuance programs and any associated derivatives activity, as well as management of the dealer group.  Mr. Doran received a BS in Finance from Siena College and an MBA from New York University, respectively.


Contact

grd@eaglecompliance504.com

GLENN DORAN BIOGRAPHY

 
Denise Ripley joined DCF LLC (a subcontractor of Eagle Compliance) in 2013 from the U.S. Small Business Administration’s (SBA) Office of Credit Risk Management. Ms. Ripley performs all administrative duties related to 504 funding to support the Fiscal and Selling Agent. Ms. Ripley has experience in SBA credit programs, monitoring markets and coordinating communications from the CDC industry, the Fiscal or Selling Agent, the Central Servicing Agent (CSA), and other industry participants. Ms. Ripley graduated with a bachelor’s degree from Towson University.

Contact
(202) 349-0069
dripley@dcfllc.com


Mailing Address

10319 Westlake Drive, Unit 197
Bethesda, MD 20817

SELLING AGENT

PROGRAM ADMINISTRATOR

DENISE RIPLEY BIOGRAPHY

FRANK KEANE BIOGRAPHY

 

Frank Keane is the President and CEO of Eagle Compliance, LLC, a veteran-owned small business created in 2008 to specialize in Broker/Dealer Operations and Anti-Money Laundering audits. Since April 2012 Eagle has worked solely as the Fiscal and Selling Agent for the SBA 504 program, managing the monthly sale of its government guaranteed debentures. Frank served in both capacities until 2018 when he focused working exclusively as Fiscal Agent. Frank has 30+ years’ experience in capital markets trading, risk management and regulatory compliance. A former Director at Merrill Lynch GSI and Managing Director at Banc of America Securities, he also was responsible for underwriting and trading the program’s debt securities for thirteen years while at Merrill Lynch. ​

Contact

980-299-0193

fxk@eaglecompliance504.com


4310 Silo Ln.

Charlotte, NC 28226

PRESIDENT & CEO